11i Implement & Use Cash Management
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Kurz na míru
- ID akce:469392
Popis kurzu na míru 11i Implement & Use Cash Management
Co se naučíte
In this course, participants will learn how to setup and use Oracle Cash Management to import and reconcile bank statements. Participants will also practice posting updated information to Oracle General Ledger and generating Oracle Cash Management reports. Finally, the participants will learn how to generate cash forecasts using the data across organizations.
Předpoklady
Oracle Payables Release 11i or Oracle Receivables Release 11i
Cíle kurzu
Post to Oracle General Ledger
Set up the system
Perform a cash forecast
Load bank statements
Perform inquiries and run reports
Reconcile bank statements
Témata kurzu
Setting Up Oracle Cash Management
Using Oracle Cash Management with Oracle Payables
Defining Oracle Cash Management System Parameters
Defining Bank Transaction Codes
Loading Electronic Bank Statements
Loading the Bank Statement Open Interface
Importing Bank Statements
Validating Bank Statement
Reviewing Bank Statement Interface Errors
Correcting Bank Statement Interface Errors
Loading Bank Statements Manually
Entering Bank Statement Information Manually
Updating Bank Statements
Reconciling Bank Statements
Reconciling Bank Statements Automatically
Defining Reconciliation Tolerances
Reconciling Multicurrency Transactions
Reconciling Bank Statements Manually
Reconciling Open Interface Transactions
Reconciling Bank Errors and Corrections
Creating Reconciled Bank Statement Lines
Reconciling Available Transactions, Batches,
Creating Transactions
Creating Miscellaneous Transactions
Creating Payment and Receipt Transactions
Recording Exceptions
Entering Reversals
Using Attachments
Posting to the General Ledger
Posting to the General Ledger
Archiving and Purging Imported Bank Statements
Inquiry and Reports
Inquiring Manual Reconciliations
Inquiring Available Transactions
Using Oracle Cash Management Reports
Performing Cash Forecast
Defining Forecast Templates
Generating Cash Forecast Using the Submit
Generating Manually Entered Cash Forecasts
Querying, Reviewing, and Modifying Cash Forecasts
Exporting Cash Forecasts to Microsoft Excel
In this course, participants will learn how to setup and use Oracle Cash Management to import and reconcile bank statements. Participants will also practice posting updated information to Oracle General Ledger and generating Oracle Cash Management reports. Finally, the participants will learn how to generate cash forecasts using the data across organizations.
Předpoklady
Oracle Payables Release 11i or Oracle Receivables Release 11i
Cíle kurzu
Post to Oracle General Ledger
Set up the system
Perform a cash forecast
Load bank statements
Perform inquiries and run reports
Reconcile bank statements
Témata kurzu
Setting Up Oracle Cash Management
Using Oracle Cash Management with Oracle Payables
Defining Oracle Cash Management System Parameters
Defining Bank Transaction Codes
Loading Electronic Bank Statements
Loading the Bank Statement Open Interface
Importing Bank Statements
Validating Bank Statement
Reviewing Bank Statement Interface Errors
Correcting Bank Statement Interface Errors
Loading Bank Statements Manually
Entering Bank Statement Information Manually
Updating Bank Statements
Reconciling Bank Statements
Reconciling Bank Statements Automatically
Defining Reconciliation Tolerances
Reconciling Multicurrency Transactions
Reconciling Bank Statements Manually
Reconciling Open Interface Transactions
Reconciling Bank Errors and Corrections
Creating Reconciled Bank Statement Lines
Reconciling Available Transactions, Batches,
Creating Transactions
Creating Miscellaneous Transactions
Creating Payment and Receipt Transactions
Recording Exceptions
Entering Reversals
Using Attachments
Posting to the General Ledger
Posting to the General Ledger
Archiving and Purging Imported Bank Statements
Inquiry and Reports
Inquiring Manual Reconciliations
Inquiring Available Transactions
Using Oracle Cash Management Reports
Performing Cash Forecast
Defining Forecast Templates
Generating Cash Forecast Using the Submit
Generating Manually Entered Cash Forecasts
Querying, Reviewing, and Modifying Cash Forecasts
Exporting Cash Forecasts to Microsoft Excel